Cross company code posting in assessment cycle

Friends,
I developed one assessment cycle to send from Cost center A ( company code A with USD) to Receiver cost centers B ( company code B with CAD) and Cost center C ( Company Code A and USD), When I do the assessment cycle and check the details it is showing me 100% taken out of sender and assessed to B and C.  But when I check cost center report of Cost center A, the credit is not same as the debits ( i made the cycle to take out 100%). When i drilled down in the credits ( sent from assessment cost element), I see object currency to be different from transaction currency ( should be the amount that needs to be credited) even though Object and transactions currencies are in USD.
Any input on why object currency value will be different from transaction currency value even though both are in USD? Is it something because of cross company posting with different currencies? Thanks in advance

Hi,
check SAPNET note 549430 it describes the system beahivour and what you can do.
BR Christian

Similar Messages

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    Hi Chandra,
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  • Prevent cross-company code postings for certain document type

    Hi all!
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  • How to break the document line items in cross company code document

    Hi,
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    http://wikisend.com/download/436966/2.zip

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  • Posting using cross company code transaction must be blocked

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  • Transfer posting of tax in a cross company code transaction thru' RFBUST10

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  • F-02 Docment posted for cross company code TAX

    Dear Experts ,
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    Thanks

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